Managing foreign currency risk in a multi-currency environment.
Forecasting cashflow needs and proactively managing both short-term and long-term cash flows of the company.
Lead financial risk management of the group.
Update management on a frequent as per the group reporting policies.
Oversee and lead day-to-day trade operations including LC opening, LC discounting and handling shipping guarantees.
Manage the cost of funds through effective negotiations with key banks.
Ensure adhering to an adequate governance framework and a higher level of compliance in managing the treasury function.
Communicate with lending institutions and annual renewals, new facility negotiations, and key discussions.
Requirements:
Professionally qualified with membership in CIMA/ ACCA/ CA or an equivalent.
3-5 years of proven experience in a similar role and at least 4 years' experience in managerial capacity.
Previous experience in a bank or financial services industry will be an added advantage.
Be a positive, highly motivated individual who exhibits leadership and a strong flexible work ethic.
Excellent communication (oral & written) and presentation skills, especially when interacting with all levels of senior management and external stakeholders.
Be a good team player with interpersonal skills determination and a best-in-class attitude, attention to detail, and problem solving skills with a commitment to produce work of highest quality with integrity.